Understanding Patient Ledger & Balance Calculations
Balancing Transactions in MDiTek
Balancing transactions ensures that all financial activity recorded in MDiTek matches your actual collections, including cash, credit cards, checks, and insurance payments (ERA). Performing this process daily helps maintain accurate financial records and prevents billing discrepancies.
Overview
At the end of each day (or batch period), you should verify that:
- All payments are correctly entered
- Insurance payments match ERA deposits
- Adjustments are accurate
- No transactions are missing or duplicated
Step-by-Step Process
1. Run Daily Payment Reports
Navigate to:
Billing → Reports → Financial Reports
- Select the Daily Payments Report
- Set the correct date range (typically the current day)
- Apply filters if needed (provider, location)
- Generate the report
Verify Total Collections
Compare MDiTek totals with actual collected amounts:
- Credit card terminal totals
- Cash collected
- Checks received
- Insurance deposits (ERA)
These totals should match exactly.
Reconcile by Payment Type
Review each category:
- Cash
- Credit Card
- Check
- Insurance (ERA)
Confirm:
- No duplicate entries
- No missing payments
- Correct payment amounts
Review Adjustments
Check all adjustments applied to accounts:
- Contractual adjustments (CO)
- Patient responsibility (PR)
- Write-offs
Ensure:
- Adjustments align with payer contracts
- No excessive or incorrect write-offs
Check Unapplied or Unmatched Payments
Navigate to:
- Activities → Batch Payments
- ERA payment screens
Look for:
- Unmatched claims
- Payments not linked to encounters
Resolve by:
- Matching payments to correct patients/claims
- Reposting if necessary
Run Accounts Receivable (A/R) Report
Generate an A/R report to verify:
- No negative balances
- No unexpected spikes in balances
- Aging buckets appear accurate
Common Issues
- Duplicate payment entries
- ERA batches posted more than once
- Payments not attached to encounters
- Incorrect adjustment codes
- Payments posted to wrong patient
Fixing Errors
If discrepancies are found:
- Locate the incorrect transaction
- Edit or delete the entry
- Repost correctly
- Re-run reports to confirm accuracy
End-of-Day Checklist
- Payments match actual collections
- ERA totals match bank deposits
- No unmatched or unapplied payments
- Adjustments reviewed and accurate
- Reports saved or exported
Best Practices
- Balance transactions daily
- Always verify ERA batches before posting
- Use consistent date ranges when running reports
- Maintain a reconciliation log for audits
Key Principle
If MDiTek totals do not match your actual bank or payment totals, there is a discrepancy that must be resolved.